Data for the period
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|
Slovak Republic - Balance of Payments - January to June 2006
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|
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Revision December 2008
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Receipts/Credit (+)
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Expenditures/Debit (-)
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Balance
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|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
|
GOODS
|
566,525.00
|
18,516.91
|
604,259.00
|
19,750.25
|
-37,734.00
|
-1,233.34
|
|
SERVICES
|
73,965.50
|
2,417.57
|
64,422.69
|
2,105.66
|
9,542.81
|
311.91
|
|
Transportation
|
26,559.33
|
868.09
|
17,139.51
|
560.21
|
9,419.82
|
307.89
|
|
Travel
|
20,313.78
|
663.96
|
14,225.58
|
464.96
|
6,088.20
|
198.99
|
|
Other services total
|
27,092.39
|
885.52
|
33,057.61
|
1,080.49
|
-5,965.22
|
-194.97
|
|
INCOME
|
29,752.76
|
972.47
|
58,497.22
|
1,911.99
|
-28,744.46
|
-939.51
|
|
Compensation of employees
|
15,600.00
|
509.89
|
718.30
|
23.48
|
14,881.70
|
486.41
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|
Investment income
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14,152.76
|
462.58
|
57,778.92
|
1,888.51
|
-43,626.16
|
-1,425.92
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|
CURRENT TRANSFERS
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28,317.22
|
925.55
|
24,318.69
|
794.86
|
3,998.53
|
130.69
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|
CURRENT ACCOUNT
|
698,560.48
|
22,832.50
|
751,497.60
|
24,562.76
|
-52,937.12
|
-1,730.25
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|
CAPITAL ACCOUNT
|
779.03
|
25.46
|
1,014.07
|
33.14
|
-235.04
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-7.68
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FINANCIAL ACCOUNT
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2,967,427.98
|
96,955.40
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-2,900,912.64
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-94,802.63
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66,515.34
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2,152.77
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DIRECT INVESTMENT
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479,817.39
|
15,682.87
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-418,359.92
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-13,674.13
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61,457.47
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2,008.74
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ABROAD
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18,135.58
|
592.76
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-25,953.58
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-848.29
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-7,818.00
|
-255.53
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|
Equity capital
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238.51
|
7.80
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-5,385.82
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-176.04
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-5,147.31
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-168.24
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Reinvested earnings
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0.00
|
0.00
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-2,393.40
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-78.23
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-2,393.40
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-78.23
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Other capital
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17,897.06
|
584.97
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-18,174.35
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-594.03
|
-277.29
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-9.06
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In SR
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461,681.81
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15,090.11
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-392,406.34
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-12,825.83
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69,275.47
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2,264.27
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Equity capital
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47,813.37
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1,562.78
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-4,243.05
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-138.68
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43,570.31
|
1,424.10
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Reinvested earnings
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16,450.65
|
537.69
|
0.00
|
0.00
|
16,450.65
|
537.69
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Other capital
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397,417.80
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12,989.63
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-388,163.29
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-12,687.15
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9,254.51
|
302.48
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PORTFOLIO INVESTMENT
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309,058.08
|
10,076.24
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-259,329.57
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-8,476.21
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49,728.51
|
1,600.03
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Assets
|
38,948.30
|
1,273.03
|
-40,959.49
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-1,338.76
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-2,011.19
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-65.74
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Liabilities
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270,109.78
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8,803.21
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-218,370.08
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-7,137.44
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51,739.70
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1,665.77
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FINANCIAL DERIVATES
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831,908.29
|
27,190.99
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-833,437.28
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-27,240.96
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-1,529.00
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-49.98
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|
Assets
|
365,258.85
|
11,938.51
|
-369,037.48
|
-12,062.02
|
-3,778.63
|
-123.50
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Liabilities
|
466,649.44
|
15,252.47
|
-464,399.80
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-15,178.94
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2,249.64
|
73.53
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OTHER INVESTMENT
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1,346,644.22
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44,005.30
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-1,389,785.86
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-45,411.33
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-43,141.64
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-1,406.03
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Long-term
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189,294.31
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6,186.45
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-171,323.80
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-5,599.94
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17,970.51
|
586.51
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|
Assets
|
41,606.55
|
1,359.26
|
-42,034.80
|
-1,373.97
|
-428.25
|
-14.71
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|
Liabilities
|
147,687.76
|
4,827.19
|
-129,288.99
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-4,225.97
|
18,398.76
|
601.22
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Short-term
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1,157,349.92
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37,818.86
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-1,218,462.07
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-39,811.39
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-61,112.15
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-1,992.53
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|
Assets
|
705,821.00
|
23,069.82
|
-756,909.70
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-24,739.65
|
-51,088.70
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-1,669.84
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Liabilities
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451,528.92
|
14,749.04
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-461,552.36
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-15,071.74
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-10,023.45
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-322.70
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CAPITAL AND FINANCIAL ACCOUNT
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2,968,207.01
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96,980.86
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-2,901,926.71
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-94,835.77
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66,280.30
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2,145.09
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ERRORS AND OMISSIONS
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|
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-5,672.68
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-179.24
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OVERALL BALANCE
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-69,476.60
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-2,225.70
|
77,147.10
|
2,461.30
|
7,670.50
|
235.60
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|
MONETARY GOLD
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0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
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|
SPECIAL DRAWING RIGHTS
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0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
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FOREIGN EXCHANGE
|
69,476.60
|
2,225.70
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-77,147.10
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-2,461.30
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-7,670.50
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-235.60
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|
CURRENCY AND DEPOSIT
|
1,235.30
|
40.10
|
0.00
|
0.00
|
1,235.30
|
40.10
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|
SECURITIES
|
68,241.30
|
2,185.60
|
-77,147.10
|
-2,461.30
|
-8,905.80
|
-275.70
|
|
Bonds and notes
|
0.00
|
0.00
|
-77,147.10
|
-2,461.30
|
-77,147.10
|
-2,461.30
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|
Money market instr. and financial derivates
|
68,241.30
|
2,185.60
|
0.00
|
0.00
|
68,241.30
|
2,185.60
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|
RESERVE ASSETS
|
69,476.60
|
2,225.70
|
-77,147.10
|
-2,461.30
|
-7,670.50
|
-235.60
|
Used exchange rate of USD = 30.595 SKK